$182Million– No. of Holdings #82
| Ticker | $ Bought |
|---|---|
| ishares 0-5 year tips bond etf | 9,299,800 |
| schwab prime advantage money investor | 5,299,000 |
| regan total return income institutional | 4,162,130 |
| procter & gamble co | 1,509,980 |
| amphenol corp new class class a | 773,515 |
| vertiv hldgs co class class a | 754,496 |
| ge vernova inc | 741,092 |
| vanguard total stock mkt idx adm | 502,873 |
| Ticker | % Inc. |
|---|---|
| broadcom inc | 127 |
| servicenow inc | 101 |
| vanguard s&p 500 etf | 62.00 |
| mercadolibre inc | 60.37 |
| berkshire hathaway class b | 52.3 |
| vanguard information technology index fund etf shares | 34.66 |
| byd co ltd funsponsored adr 1 adr reps 1 ord shs | 30.99 |
| state street spdr portfolio s&p 500 etf | 29.58 |
| Ticker | % Reduced |
|---|---|
| booking hldgs inc forward split with stock split shares | -61.41 |
| advanced micro devic | -46.15 |
| ishares broad usd investment grade corporate bond etf | -24.42 |
| nvidia corp | -21.27 |
| deere & co | -20.83 |
| masco corp | -12.27 |
| novo-nordisk a s fsponsored adr 1 adr reps 1 ord shs | -4.71 |
| sempra | -3.89 |
| Ticker | $ Sold |
|---|---|
| infosys ltd | -892,087 |
| kimco rlty corp | -900,373 |
| bank of america corp | -1,807,680 |
| constellation brands incclass | -217,977 |
| intuit | -452,433 |
Trivant Custom Portfolio Group, LLC has about 24% of it's holdings in Technology sector.
| Sector | % |
|---|---|
| Technology | 24 |
| Others | 23 |
| Consumer Cyclical | 9.6 |
| Industrials | 7.7 |
| Consumer Defensive | 7.7 |
| Communication Services | 6.8 |
| Financial Services | 6.1 |
| Utilities | 5.9 |
| Healthcare | 4.8 |
| Energy | 3.9 |
Trivant Custom Portfolio Group, LLC has about 71.8% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| MEGA-CAP | 47 |
| LARGE-CAP | 24.8 |
| UNALLOCATED | 23 |
| MID-CAP | 5.1 |
About 69.6% of the stocks held by Trivant Custom Portfolio Group, LLC either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 64.5 |
| Others | 30.4 |
| RUSSELL 2000 | 5.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
Trivant Custom Portfolio Group, LLC has 82 stocks in it's portfolio. About 42.2% of the portfolio is in top 10 stocks. MSFT proved to be the most loss making stock for the portfolio. LNG was the most profitable stock for Trivant Custom Portfolio Group, LLC last quarter.
Last Reported on: 14 May, 2026| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAPL | apple inc | 8.68 | 62,363 | 15,827,000 | reduced | -0.51 | ||
| AAXJ | ishares broad usd investment grade corporate bond etf | 3.71 | 132,280 | 6,776,700 | reduced | -24.42 | ||
| AAXJ | ishares morningstar mid-cap value etf | 0.28 | 6,054 | 513,293 | added | 9.99 | ||
| ABT | abbott labs | 0.83 | 14,785 | 1,517,980 | added | 0.34 | ||
| AMD | advanced micro devic | 0.62 | 5,541 | 1,127,210 | reduced | -46.15 | ||
| AME | ametek inc new | 1.14 | 9,733 | 2,086,370 | added | 0.15 | ||
| AMPS | ishares 0-5 year tips bond etf | 5.10 | 89,914 | 9,299,800 | new | |||
| AMZN | amazon.com inc | 2.96 | 25,894 | 5,392,940 | reduced | -3.1 | ||
| APH | amphenol corp new class class a | 0.42 | 6,122 | 773,515 | new | |||
| ASML | asml hldg n v fsponsored adr 1 adr reps 1 ord shs | 1.33 | 1,834 | 2,422,400 | added | 0.22 | ||
| AVGO | broadcom inc | 1.38 | 8,133 | 2,517,240 | added | 127 | ||
| AXP | american express co | 0.20 | 1,176 | 355,716 | new | |||
| AZO | autozone inc | 0.94 | 509 | 1,719,290 | added | 0.39 | ||
| BAC | bank of america corp | 0.00 | 0.00 | 0.00 | sold off | -100 | ||
| BIL | state street spdr portfolio s&p 500 etf | 0.80 | 19,063 | 1,459,060 | added | 29.58 | ||
| BKNG | booking hldgs inc forward split with stock split shares | 0.77 | 8,375 | 1,410,460 | reduced | -61.41 | ||
| BSX | boston scientific corp | 0.39 | 11,370 | 713,468 | added | 16.99 | ||
| CDNS | cadence design sys inc | 0.39 | 2,581 | 717,182 | added | 0.78 | ||
| COF | capital one finl corp | 0.25 | 2,464 | 449,508 | new | |||
| COST | costco whsl corp new | 2.83 | 5,179 | 5,160,520 | reduced | -1.54 | ||